Skip to content
NovaLib
  • Sample Page
  • library
NovaLib
  • Sample Page
Library / Theory of financial risks

File hashes

MD5
6e498e4786e310ef55026cafa734b998
SHA1
OLZACNSOKANGBE4LCQTVRJMDFKUW67XW
SHA256
aa61f0367bf125b74870bbbf8ddc6031 685d1c26a580694924c6bd84737bd74e
AICH
F5XE5N5HLL7MN572NWERG6RXI3RLMREB
CRC32
677af3e0
eDonkey
ae76bbbaf0e9ce455ab4728094635097
TTH
FEQRKHFZGSO4UD72LFYIBOHZ55EXSODACI63IKQ

Available files

  • PDF

Download Link

Direct link IPFS Cloudflare Pinata
ENGLISH

Theory of financial risks

By Jean-Philippe Bouchaud , Marc Potters

Book information

Publisher
Cambridge University Press
Year
2000
ISBN
0521782325, 9780521782326, 9780511010286
Open Library ID
OL7753600M
Language
english
Format
PDF
Filesize
2 MB (2201410 bytes)
Edition
1
Pages
124\124
Topic
Economy
Library
Kolxo3
Time added
2010-07-29 05:14:56

Similar books

Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management

Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management

2004 · PDF

Theory of Financial Risks: From Statistical Physics to Risk Management

Theory of Financial Risks: From Statistical Physics to Risk Management

2000 · PDF

Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management

Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management

2004 · PDF

Theory Of Financial Risks - From Statistical Physics To Risk Management

Theory Of Financial Risks - From Statistical Physics To Risk Management

2000 · PDF

Theory of financial risks: from statistical physics to risk management

Theory of financial risks: from statistical physics to risk management

2000 · PDF

Theory of Financial Risks: From Statistical Physics to Risk Management

Theory of Financial Risks: From Statistical Physics to Risk Management

2009 · PDF

Theory of financial risks: from statistical physics to risk management

Theory of financial risks: from statistical physics to risk management

2000 · DJVU

Theory of financial risks: from statistical physics to risk management

Theory of financial risks: from statistical physics to risk management

2000 · DJVU

Copyright © 2026 NovaLib | Powered by Astra WordPress Theme